Material fact notice

Material fact announcement regarding securities issuance progress "Securities Placement Closing"

11.06.2019

1. General Information

1.1. Issuer’s full corporate name (name for NGO)

CREDIT BANK OF MOSCOW (public joint-stock company)

1.2. Issuer’s abbreviated corporate name

CREDIT BANK OF MOSCOW

1.3. Issuer’s registered office

2 (bldg. 1) Lukov pereulok, Moscow 107045, Russia

1.4. Issuer’s OGRN

1027739555282

1.5. Issuer’s TIN

7734202860

1.6. Unique issuer code assigned by the registration authority

01978В

1.7. Issuer’s disclosure webpage

http://www.mkb.ru;

http://www.e-disclosure.ru/portal/company.aspx?id=202

1.8. Date of occurrence of the event (material fact) about which the message is made (if applicable)

11.06.2019

2. Content of Announcement

2.1. Type, category (class), series and other identifiers of securities: 300,000 (three hundred thousand) exchange-traded certificated interest-bearing non-convertible bearer commonly deposited bonds series BSO-P01 placed by public subscription, identification number of the issue: 4B020101978B001P of 08.05.2019, ISIN RU000A100FF2.

2.2. Maturity (for bonds and options): 11.06.2022.

2.3. State registration number of issue (additional issue) and date of state registration (assigned identification number and date of assignment): 4B020101978B001P, 08.05.2019.

2.4. Registering authority (authority (organisation) which assigned identification number): Moscow Exchange.

2.5. Par value (if provided for by Russian laws) of each security to be placed: 1,000 (one thousand) roubles.

2.6. Placement method: Public subscription.

2.7. Actual placement starting date (date of first transaction disposing securities to first holder): 11.06.2019.

2.8. Actual placement ending date (date of last credit to personal (securities) account of first holder in securities title recording system or date of release of last non-commonly deposited security certificate, or, if issue (additional issue) is not placed entirely, original placement ending date): 11.06.2019.

2.9. Number of securities actually placed: 300,000 (three hundred thousand).

2.10. Actually placed securities as percentage of total number of securities in issue (additional issue): 100%.

2.11. Actual placement price(s) and number of securities placed at each placement price: 1,000 (one thousand) roubles per exchange-traded bond (100% of its par value), 300,000 (three hundred thousand) bonds.

2.12. Form of payment for placed securities and, if applicable, number of placed securities paid for in cash and number of placed securities paid for otherwise: wire transfer in Russian roubles, 300,000 (three hundred thousand) bonds.

3. Signature

3.1. Head of Banking Legal Support Department (Power of attorney No.770/2016 dated 29.12.2016 (valid until 29.12.2019))

K.I. Galushko

3.2. 11 June 2019 SEAL